ELK Asia Pacific Journal of Finance and Risk Management

Knowledge of financial terms and mechanisms are crucial in today’s world, not just for the professionals working in the field, but also for scholars who are preparing to be a part of the finance domain. Be it banking, insurance, risk management or securities trading, new research is being done by practitioners of financial theories, who seek to apply them to various spheres effectively. In a bid to bring this emerging knowledge to scholars and budding professionals, ELK Journals offers ELK Asia Pacific Journal of Finance and Risk Management.

Though we began with a focus on the Asia Pacific region, now we receive contributions from all over the world. Since we cover both theoretical and empirical work, our scope of publication is broad. The key subject areas outlined in the wide scope of the journal are: